Synchrony Financial (SYF)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$380M
Holdings value Q1 2024
$16.4B
Value change Q1 2024
-$147M
Grand Portfolio weight change Q1 2024
0%
Number of holders
725
Number of Buys Q1 2024
325
Number of Sells Q1 2024
-286
Average Buys Q1 2024 %
+0.008%
Average Sells Q1 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 380M $16.4B -$147M $43.12 715
2023 Q4 385M $14.7B +$189M $38.19 703
2023 Q3 380M $11.6B -$323M $30.57 674
2023 Q2 381M $12.9B +$250M $33.92 665
2023 Q1 397M $11.5B -$126M $29.08 651
2022 Q4 417M $13.7B -$605M $32.86 689
2022 Q3 432M $12.2B -$263M $28.19 603
2022 Q2 450M $12.3B -$442M $27.62 638
2022 Q1 467M $16.3B -$529M $34.81 695
2021 Q4 491M $22.8B -$518M $46.39 758
2021 Q3 516M $25.2B -$562M $48.88 735
2021 Q2 532M $25.8B +$688M $48.52 714
2021 Q1 531M $21.6B +$961M $40.66 695
2020 Q4 535M $18.6B +$62.5M $34.71 649
2020 Q3 538M $14.1B +$21.8M $26.17 606
2020 Q2 536M $11.9B +$610M $22.16 582
2020 Q1 506M $8.15B +$1.23M $16.09 572
2019 Q4 538M $19.3B -$527M $36.01 718
2019 Q3 567M $19.3B -$201M $34.09 687
2019 Q2 581M $20.1B +$390M $34.67 703
2019 Q1 590M $18.8B -$360M $31.90 683
2018 Q4 610M $14.3B +$143M $23.46 666
2018 Q3 611M $18.9B -$420M $31.08 685
2018 Q2 636M $21.2B -$121M $33.38 694
2018 Q1 651M $21.8B +$43.8M $33.53 713
2017 Q4 673M $25.9B +$92.5M $38.61 712
2017 Q3 674M $20.9B -$444M $31.05 638
2017 Q2 701M $20.9B +$648M $29.82 615
2017 Q1 716M $24.6B +$1.69B $34.30 646
2016 Q4 728M $26.4B +$678M $36.27 662
2016 Q3 720M $20.1B +$7.8M $28.00 596
2016 Q2 738M $18.7B +$319M $25.28 594
2016 Q1 725M $20.8B +$312M $28.66 593
2015 Q4 751M $22.8B +$19.3B $30.41 604
2015 Q3 819M $25.6B +$703M $31.30 269
2015 Q2 804M $26.5B +$262M $32.93 234
2015 Q1 801M $24.3B +$325M $30.35 230
2014 Q4 794M $23.6B +$283M $29.75 195
2014 Q3 792M $19.4B +$19.4B $24.55 132
2014 Q2 2K $49K +$49K $24.50 1